Treasury Financial Data Analyst

Susquehanna International Group, LLP

About The Position

Susquehanna’s Treasury team is seeking a technically strong Financial Data Analyst to focus on counterparty analytics and reporting to help drive strategic decisions. This is a highly analytical, project-oriented role requiring the design and development of data-driven tools and reporting frameworks using Python, SQL, and HTML. The position combines counterparty risk analysis, financial normalization, relationship economics, and treasury strategy within a fast-paced proprietary trading environment. Susquehanna is a global quantitative trading firm powered by scientific rigor, curiosity, and innovation. Our culture is intellectually driven and highly collaborative, bringing together researchers, engineers, and traders to design and deploy impactful strategies in our systematic trading environment. To meet the unique challenges of global markets, Susquehanna applies machine learning and advanced quantitative research to vast datasets in order to uncover actionable insights and build effective strategies. By uniting deep market expertise with cutting-edge technology, we excel in solving complex problems and pushing boundaries together.

Requirements

  • 3-5 years of experience in financial services, preferably within treasury, counterparty risk, prime brokerage, trading operations, or capital markets.
  • Strong technical proficiency in Python, SQL, and HTML.
  • Experience building automated reporting tools or analytical dashboards.
  • Strong understanding of financial statements and capital markets concepts.
  • Exceptional analytical skills and attention to detail.
  • Ability to independently manage long-term, project-based workstreams.
  • Strong communication skills with experience presenting to senior stakeholders.
  • Bachelor’s degree in Finance, Accounting, Economics, or any related discipline.
  • Visa sponsorship for work authorization is not available for this position now or in the future.

Responsibilities

  • Compile, reconcile, and analyze firm-wide balances, exposures, financing activity, trading flow, and fee structures across counterparties.
  • Quantify full counterparty economics, including financing spreads, fee payments, trading rebates, and capital usage.
  • Prepare financial materials for credit due diligence calls, broker relationship meetings, and commercial negotiations.
  • Partner with Operations and Financing teams to evaluate cost attribution and relationship profitability.
  • Develop standardized frameworks to improve comparability across balance sheets, funding profiles, and capital structures.
  • Produce executive-level summary materials and visual dashboards to support strategic relationship decisions.
  • Partner with international offices to maintain a comprehensive global view of institutional developments
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